v3.26.1
Schedule of Convertible Notes payable (Details) (Parenthetical) - Unsecured Notes Payable One [Member] - USD ($)
1 Months Ended
Jan. 10, 2023
Dec. 15, 2022
Oct. 14, 2022
Apr. 05, 2022
Feb. 11, 2022
Sep. 16, 2022
Jun. 24, 2022
May 05, 2022
Aug. 31, 2021
Series One One [Member]                  
Cash Proceeds from convertible notes payable                 $ 950,000
Series One Two [Member]                  
Cash Proceeds from convertible notes payable       $ 100,000          
Series Two Four [Member]                  
Cash Proceeds from convertible notes payable $ 100,000                
Series Two Five [Member]                  
Cash Proceeds from convertible notes payable $ 110,000                
Series Three One [Member]                  
Cash Proceeds from convertible notes payable         $ 125,000        
Series Three Two [Member]                  
Cash Proceeds from convertible notes payable         $ 125,000        
Series Four One [Member]                  
Cash Proceeds from convertible notes payable               $ 100,000  
Series Four Two [Member]                  
Cash Proceeds from convertible notes payable             $ 100,000    
Series Five One [Member]                  
Cash Proceeds from convertible notes payable               75,000  
Series Five Two [Member]                  
Cash Proceeds from convertible notes payable               $ 100,000  
Series Five Three [Member]                  
Cash Proceeds from convertible notes payable     $ 110,000            
Series Five Four [Member]                  
Cash Proceeds from convertible notes payable   $ 200,000              
Series Six One [Member]                  
Cash Proceeds from convertible notes payable           $ 50,000      
Common Stocks [Member] | Series One One [Member]                  
Debt instrument unpaid principal default interest rate                 12.00%
Common Stocks [Member] | Series One Two [Member]                  
Debt instrument unpaid principal default interest rate       12.00%          
Common Stocks [Member] | Series Two Four [Member]                  
Debt instrument unpaid principal default interest rate 22.00%                
Common Stocks [Member] | Series Two Five [Member]                  
Debt instrument unpaid principal default interest rate 22.00%                
Common Stocks [Member] | Series Three One [Member]                  
Debt instrument unpaid principal default interest rate         22.00%        
Common Stocks [Member] | Series Three Two [Member]                  
Debt instrument unpaid principal default interest rate         15.00%        
Common Stocks [Member] | Series Four One [Member]                  
Debt instrument unpaid principal default interest rate               22.00%  
Common Stocks [Member] | Series Four Two [Member]                  
Debt instrument unpaid principal default interest rate             22.00%    
Common Stocks [Member] | Series Five One [Member]                  
Debt instrument unpaid principal default interest rate               22.00%  
Common Stocks [Member] | Series Five Two [Member]                  
Debt instrument unpaid principal default interest rate               22.00%  
Common Stocks [Member] | Series Five Three [Member]                  
Debt instrument unpaid principal default interest rate     22.00%            
Common Stocks [Member] | Series Five Four [Member]                  
Debt instrument unpaid principal default interest rate   22.00%              
Common Stocks [Member] | Series Six One [Member]                  
Debt instrument unpaid principal default interest rate           12.00%